Senior accountant
IAS LOOTAH CONTRACTING
Total years of experience :15 years, 1 Months
Payroll Manager :-
my daily responsibilities :
Making leave salaries for staff.
Making indemnities for resigned employees.
Handling an increment for labors and staff.
Handling bounces for staff
WPS Transaction
Closing Payment for Employees
Bank Reconciliation
Senior accountant :
- Handling Account payable
- Handling Account Receivable
- Income Statement
- General journal entry
- Bank reconciliation
- Balance Sheet & Financial Statements
- Subcontractor and vendor payments
- Preparation of monthly loan draws
- Interaction with all levels of operations personnel
- Handling accounts up to finalization
Suggesting solutions for problems regarding credit management
Preparing critical fiscal documentation regarding accounting activities, e.g., weekly, monthly and annual reports, draft and revised codes and ordinances.
Making leave salaries for staff.
Making leave salaries for staff.
Making indemnities for resigned employees.
Handling an increment for labors and staff.
Handling bounces for staff.
Making provisions for leave salaries.
Transfer Salary Through WPS System
Closing payroll accounts for employees.
Bank reconciliation for employees.
Senior Accountant
- Account payable
- Account Receivable
- Income Statement
- General journal entry
- Bank reconciliation
- Balance Sheet & Financial Statements
- Handling accounts up to finalization
Payroll Sr.Accountant
I am working as a payroll manager, handling more than 9000 labors and 1500 staff, coordinating with H R department, covering all wages and salaries problems.
And my daily responsibilities :
Making leave salaries for staff.
Making indemnities for resigned employees.
Handling an increment for labors and staff.
Handling bounces for staff.
Making provisions for leave salaries.
Closing payroll accounts for employees.
Bank reconciliation for employees.
General Accountant
- Handling Sub Contractor Payment and Suppliers.
- Handling Journal Voucher.
- Handling accounts up to finalization.
- Prepares check vouchers .
Handling accounts up to finalization .
Balance Sheet & Financial Statements .
Monthly general ledger & trial balance .
General journal entry.
Bank reconciliation
Bachelor of commerce